
Empowering Wealth, Protecting Futures
Offering proprietary trading returns and stability to fund investors
Our Mission
Praetorian Capital Partners aims to democratise access to high-alpha investment strategies throughout the market cycle. Empowering wealth & protecting futures.
Building on a +285% return over the past 5 years (31% CAGR) by our founders prior to the fund’s launch.
Praetorian Fund went live in March 2025, amid one of the sharpest sell-offs in modern history, and has returned +14% versus +5% for the S&P 500 over the same period.
Investment Philosophy
Praetorian Capital’s core strategy: Value-driven equity investing. We focus on mispriced companies – both undervalued and overvalued – where a clear thesis and well-identified catalysts drive value realisation. Our high-conviction positions are grounded in deep fundamental analysis and near-term events that drive re-pricing.
We offer sophisticated investment strategies across global markets. Investors gain diversified exposure across US, European, and Asian markets, spanning equities, derivatives, commodities, currencies, and fixed income.
Limited early investor window open: Low minimum investment. No lock-up. 60 day liquidity notice. High-watermark applied.
How We Invest For You
Strategy Variety:
We deploy a range of strategies depending on prevailing market dynamics such as: momentum, level-based and event driven.
Multi-Asset Focus:
To reduce correlation, we trade across asset classes: equities, commodities, currencies, fixed income and derivatives.
Dynamic Execution:
Risk based execution and exposure ensures opportunity utilisation is maximised and risk minimised.
Global Markets:
US (high liquidity), EU (regulated diversity), Asia (growth), and emerging markets (low correlation).
